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JSC National Atomic Company Kazatomprom

0ZQ.F

FSX

52.8

EUR
-1.00(-1.86%)

As of today

JSC National Atomic Company Kazatomprom fundamentals

Key ratios

P/E Ratio
11.68
Price/Book
4.13
Debt/Equity
9.79%
Return on Equity
29.72%
Dividend Yield
4.01%
EBITDA
1.39T

Statements Highlights

Period EndingDec 31, 2020Dec 31, 2021Dec 31, 2022Dec 31, 2023Dec 31, 2024
Total Revenue587,457,000,000691,011,000,0001,001,171,000,0001,434,635,000,0001,813,352,000,000
Gross Profit267,833,000,000288,044,000,000526,074,000,000762,773,000,000881,731,000,000
Operating Income268,906,000,000290,211,000,000585,214,000,000679,410,000,000805,667,000,000
Net Income183,541,000,000140,773,000,000348,048,000,000419,184,000,000872,263,000,000
Total Assets1,689,279,000,0001,951,504,000,0002,222,533,000,0002,599,292,000,0003,821,881,000,000
Total Current Liabilities111,572,000,000158,822,000,000271,403,000,000430,812,000,000420,985,000,000
Total Equity1,339,792,000,0001,537,101,000,0001,696,503,000,0002,008,267,000,0002,997,551,000,000
Free Cash Flow126,127,000,00071,432,000,000209,394,000,000323,177,000,000342,716,000,000
Cash from Operations161,599,000,000118,726,000,000283,871,000,000432,225,000,000516,487,000,000
Cash from Investing48,759,000,000-71,241,000,000-10,893,000,000-61,200,000,000-42,415,000,000
Cash from Financing-201,415,000,000-1,843,000,000-268,877,000,000-319,425,000,000-415,264,000,000
Net Change in Cash14,787,000,00047,843,000,0008,346,000,00042,376,000,00082,473,000,000

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